NOTE: THIS DATA FILE WILL CHANGE! To improve accessibility of data for all users, we will convert this file from a text format to an html table by the end of June 2024. Title: Mutual Fund Assets to GDP for Poland Series ID: DDDI07PLA156NWDB Source: World Bank Release: Global Financial Development (Not a Press Release) Seasonal Adjustment: Not Seasonally Adjusted Frequency: Annual Units: Percent Date Range: 2000-01-01 to 2020-01-01 Last Updated: 2024-05-07 3:35 PM CDT Notes: Ratio of assets of mutual funds to GDP. A mutual fund is a type of managed collective investment scheme that pools money from many investors to purchase securities. Data taken from a variety of sources such as Investment Company Institute and national sources. (World Bank - Non banking financial database) Source Code: GFDD.DI.07 DATE VALUE 2000-01-01 0.8976917700000000 2001-01-01 1.5557435000000000 2002-01-01 2.7467440000000000 2003-01-01 3.9370644999999995 2004-01-01 4.7093376000000000 2005-01-01 5.7655810000000000 2006-01-01 8.4031199000000000 2007-01-01 10.6151460000000010 2008-01-01 3.3324022000000006 2009-01-01 5.2360783000000000 2010-01-01 5.3341343000000000 2011-01-01 3.4947864000000000 2012-01-01 5.3935264000000010 2013-01-01 5.6648905000000000 2014-01-01 6.3001735000000000 2015-01-01 6.7570521999999995 2016-01-01 6.2568979000000000 2017-01-01 7.8726118000000005 2018-01-01 6.7702402000000000 2019-01-01 6.7473670000000000 2020-01-01 7.2341896000000000